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Stock Style
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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
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Market Cap
Large
Value
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Small
Growth
38
0
1
1
0
0
20
2
0
CROSSVAULT CAPITAL MANAGEMENT LLC

Time Period2018-12-31

Total Holdings76

Total Value ($x1000)176,138
Activities
New17

Increased30

Unchanged9

Decreased20

Sold Out5

Top 10 Stock Holdingstotal 42.52%
AMZN5.33

BA4.87

AAPL4.79

V4.67

MSFT4.45

 
LMT3.8

HD3.71

HON3.69

JNJ3.68

BMY3.53

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
AMZN
5.33%
COM
BA
4.87%
COM
AAPL
4.79%
COM
V
4.67%
COM CL A
MSFT
4.45%
COM
LMT
3.8%
COM
HD
3.71%
COM
HON
3.69%
COM
JNJ
3.68%
COM
BMY
3.53%
COM
GOOGL
3.5%
CAP STK CL A
JPM
3.38%
COM
COP
3.33%
COM
PNC
3.17%
COM
INTC
2.9%
COM
CRM
2.8%
COM
PEP
2.72%
COM
ROK
2.7%
COM
NKE
2.5%
CL B
UTX
2.27%
COM
ISRG
1.85%
COM NEW
T
1.57%
COM
PFE
1.46%
COM
GILD
1.45%
COM
WMT
1.33%
COM
CVX
1.3%
COM
NFLX
1.24%
COM
CAT
1.2%
COM
D
0.95%
COM
UNH
0.95%
COM
VZ
0.91%
COM
XOM
0.87%
COM
ABBV
0.82%
COM
MCD
0.82%
COM
LLY
0.79%
COM
SPY
0.77%
TR UNIT
MCHP
0.55%
COM
OXY
0.54%
COM
CSCO
0.48%
COM
IBM
0.4%
COM
BRK.B
0.35%
CL B NEW
DWDP
0.34%
COM
NEE
0.34%
COM
PG
0.34%
COM
IWR
0.34%
RUS MID-CAP ETF
MRK
0.33%
COM
IWM
0.32%
RUSSELL 2000 ETF
KHC
0.32%
COM
CFR
0.31%
COM
MMM
0.31%
COM
ABT
0.3%
COM
GD
0.29%
COM
PM
0.29%
COM
DE
0.25%
COM
GSK
0.25%
SPONSORED ADR
YUM
0.24%
COM
MO
0.23%
COM
SO
0.23%
COM
AEP
0.22%
COM
KMI
0.22%
COM
SQ
0.21%
CL A
LIN
0.2%
COM
KO
0.19%
COM
RTN
0.19%
COM NEW
KMB
0.16%
COM
VYM
0.15%
HIGH DIV YLD
VIG
0.14%
DIV APP ETF
UPS
0.14%
CL B
CMI
0.13%
COM
NOC
0.12%
COM
WDAY
0.12%
CL A
IXN
0.11%
GLOBAL TECH ETF
YUMC
0.11%
COM
GE
0.08%
COM
AMLP
0.06%
ALERIAN MLP
PATRIOT ...
0.04%
COM
SLB
1.33%
COM
X
1.19%
COM
EMR
0.13%
COM
FB
0.12%
CL A
KRE
0.11%
S&P REGL BKG